Civil Commitment and the Mental Health
Care Continuum:
Historical Trends and Principles for Law and
Practice
Acknowledgements
This report was prepared for the Substance Abuse and Mental Health Services Administration
(SAMHSA) under contract number HHSS2832017000751/HHSS28342001T SAMHSA, U.S. Department of
Health and Human Services (HHS), in consultation with W. Lawrence Fitch, JD, University of Maryland
Law School, Affiliated Faculty, Institute of Law, Psychiatry and Public Policy, University of Virginia; and
Jeffrey W. Swanson, PhD, Department of Psychiatry and Behavioral Sciences, Duke University School of
Medicine. Nadine Benton served as Contracting Officer Representative.
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and any reference to non-federal entity’s products, services, or policies should not be construed as such.
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Recommended Citation
Substance Abuse and Mental Health Services Administration: Civil Commitment and the Mental Health
Care Continuum: Historical Trends and Principles for Law and Practice. Rockville, MD: Office of the Chief
Medical Officer, Substance Abuse and Mental Health Services Administration, 2019.
Originating Office
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1
Civil Commitment and the Mental Health Care Continuum:
Historical Trends and Principles for Law and Practice
Part I. Origins and Current Status of Civil Commitment
Part II. Principles to Guide Civil Commitment
Part III. Practical Tools to Assist Policy Makers in Evaluating,
Reforming, and Implementing Involuntary Civil Commitment
Civil Commitment and the Mental Health Care Continuum:
Historical Trends and Principles for Law and Practice
Involuntary civil commitment in the United States is a legal intervention by which a judge, or
someone acting in a judicial capacity, may order that a person with symptoms of a serious mental
disorder, and meeting other specified criteria, be confined in a psychiatric hospital or receive
supervised outpatient treatment for some period of time. Standards and procedures for
commitment are provided by state law, in every state.
1
Contemporary commitment proceedings
must comport with due process protections under state and federal law, in accord with
constitutional rights as recognized by the U.S. Supreme Court; these include a qualified right to
refuse treatment and the general right of law-abiding persons not to be confined unless they pose
some risk of harm. A record of involuntary commitment can affect other rights, too, notably the
right of private citizens to possess firearms; federal and state laws limit this right specifically for
persons with a history of commitment or other mental disability-related adjudications.
2
As commitment laws and policies have evolved, public behavioral health care systems face new
challenges in delivering mental health services under fiscally constrained circumstances. The
locus of continuing care and treatment of adults with serious mental illnesses has shifted almost
entirely away from state mental hospitals. Behavioral health financing trends—notably
privatization and managed carehave transformed public mental health systems, leading to the
devolution of long-standing organizational structures and authorities in many jurisdictions, and
redefining the notion of accountability for the care of persons with disabling mental illnesses.
An apparent shortage of psychiatric beds in many areas has created a situation in which
involuntary commitment may be seen as a virtual entitlementa way to prioritize intensive
mental health services for individuals who would have difficulty accessing these services
otherwise. Constraints on access greatly influence involuntary commitment practice and policy.
Outpatient commitment, commonly termed “Assisted Outpatient Treatment” (AOT), may serve
as a portal to services in some communities, using the legal leverage of commitment law.
To meet these challenges in a shifting policy landscape, some guidance is needed to assist state
policymakers and practitioners in reforming, implementing, and appropriately targeting
commitment law and practice—both inpatient and outpatient—to the small proportion of adults
who require and may benefit from its use. Part I of this report reviews the history and current
status of involuntary commitment in the United States.
3
Part II sets forth expert consensus
1
Federal laws can also authorize involuntary commitment in some circumstances, for example, when a person
suffering from a serious mental illness is accused of a crime or adjudicated under the federal criminal justice system,
or found not guilty by reason of insanity. Persons deemed to be sexually dangerous may also be committed under
federal law. This report largely excludes discussion of commitment under federal laws.
2
The U.S. Supreme Court’s landmark Heller decision in 2008 affirmed that the Second Amendment to the
Constitution confers the right for private individuals to bear arms for personal protection, but left in place
longstanding firearm prohibitions applying to certain categories of people, including those with a record of
involuntary civil commitment (Heller v District of Columbia, 554 U.S. 570 (2008); Felthous & Swanson (2017)).
3
The report’s focus is on ordinary civil commitment of adults with mental illnesses. Different laws and procedures
apply to the commitment of persons with intellectual disabilities (see Heller v Doe, 509 U.S. 312 (1993)), children
(see Parham v J.R., 442 U.S. 584 (1979)), criminal defendants found not guilty by reason of insanity (see Foucha v
Louisiana, 504 U.S. 71 (1992)), and sex offenders leaving confinement in criminal or juvenile justice institutions
(see Kansas v Hendricks, 521 U.S. 346 (1997)).
2
principles to guide the optimal, ethical use of commitment. Part III provides practical tools
briefly stated guidelines and a checklist of requirements—to assist policy makers and others
responsible for reforming or implementing civil commitment laws or systems.
Part I. Origins and Current Status of Civil Commitment
Before the mid to late twentieth century, public mental health services in the United States were
provided almost exclusively in large state hospitals. Today, all but about two percent of care is
provided in other settings, including other inpatient settings. Indeed, less than 37 percent of
inpatient psychiatric beds are located in public (state or county) hospitals. If one includes in the
inpatient count beds in residential treatment centers and nursing home beds serving patients with
serious mental illnesses, the percentage of beds located in public psychiatric hospitals drops to
11 percent. And this calculation takes no account of emergency room beds, crisis beds, group
living beds, or supported housing beds. In all, 7.5 million individuals receive publically funded
mental health services annually in the United States, nearly all in the community. Only one in 57
is served in a state or county hospital (Lutterman, et al., 2017).
4
Civil Commitment: Historical Roots
The vast majority of mental health services today are provided on a voluntary basis. Every state,
however, provides for the civil commitment of those who meet the requisite legal standard.
These standards and the procedures that are followed to impose commitment vary from state to
state. Nearly all were crafted in the last 50 years. Before the late 1960’s, commitment decision-
making was less legalistic.
Brakel traces the early developments of civil commitment, beginning in Greece in the fourth
century B.C. (Brakel, et al., 1985). Recognizing mental illness as a natural phenomenon,
Hippocretes and his followers suggested persons with mental disabilities “be confined in the
wholesome atmosphere of a comfortable, sanitary, well-lighted place.” Early Roman law
recognized the authority of a guardian to oversee the affairs of individuals with mental
disabilities, with suspension of the guardianship during periods of the individual’s lucidity.
English law, beginning in the 13
th
century, distinguished between “idiots” (who “hath no
understanding from [their] nativity”) and “lunatics” (who “had understanding, but…hath lost the
use of [their] reason”). The former—persons described today as having intellectual disabilities
were provided for by the King, who assumed custody of the person’s lands and retained any
profits therefrom in excess of the cost of the person’s care. Upon the person’s death, the lands
were returned to the person’s heirs. Individuals known as “lunatics”—persons with mental
illness in today’s parlance—also were provided for by the King, who held the person’s lands
during periods of the person’s lunacy and used all of the land’s profits for the maintenance of the
person and the person’s household. Any excess was returned to the person “when they c[a]me to
right mind.
4
E. Fuller Torrey and colleagues from the Treatment Advocacy Center have observed that the number of people
with symptoms of a serious mental illness who are incarcerated in the nation’s jails and prisons is “ten times more
than [the number] remaining in state psychiatric hospitals” (Torrey, et al., 2014). But are state hospitalization
numbers an apt point of comparison? No one suggests every jail or prison inmate with mental illness symptoms
should instead be in an inpatient-level of care, much less a state hospital. Considering how mental health care has
evolved in the last half century, perhaps it would be more meaningful to say that nearly 20 times more people with a
serious mental illness today receive care in the nation’s public mental health systems than are housed in its jails and
prisons.
3
Brakel notes that the system developed in England for the maintenance of persons with mental
disabilities did not transfer well to the American colonies, given their lack of any established
infrastructure for administering support. Families assumed responsibility for their mentally
disabled members. Individuals without family support were on their own, sometimes joining
others in “transient bands, drifting from town to town.” There are reports of communities voting
to help impoverished families with the cost of maintaining a disabled member, but the care
provided was generally without force of law or legal administration.
The first American hospitals for the care of persons with mental disabilities appeared in the late
1700’s and early 1800’s. Until the mid-1800’s, however, their numbers were so few that it was
commonplace for persons with mental disabilities to land in jail, as vagrants, or to be taken into
almshouses, “tossed together with the indigent physically ill and disabled, alcoholics, the
retarded, the senile, and the slothful(Appelbaum, 1994). Reformers of the day, led by Dorothea
Dix, shone a light on the poor conditions under which so many people with mental illness lived
and advocated for the development of residential facilities for their care. States took notice, and a
“great surge of construction of state-run asylums moved across the country, beginning with the
Worcester State Hospital in Massachusetts in 1833” (Appelbaum, 1994). Admission criteria, to
the extent they were articulated, were simply that the person needed or would benefit from
treatment. Typically, a family member would propose admission, and a physician would certify
the admission for an indefinite period. The common law right to challenge an unwanted
confinement in court, by writ of habeas corpus, was recognized in cases as early as 1845 (Matter
of Josiah Oaks, 8 Law Rep.123 (Mass. 1845)). But it was not often used.
Following a series of celebrated cases in the late 1800’s alleging wrongful commitment,
procedures for commitment (but not legal criteria) were tightened. Judicial certification was
required in many states, including the right to a jury trial in some. This legalization of the
process slowed commitment in some cases, delaying treatment. In 1951, the National Institute of
Mental Health (NIMH) released a “Draft Act Governing Hospitalization of the Mentally Ill,
calling for commitment decision-making to be returned to medical professionals (US Public
Health Service, 1952). Many states followed suit, establishing procedures for medical
certification, with the right to a hearing only after admission. Detention and emergency
admission might be initiated by the police. Wisconsin was among the states that took this
approach.
Late Century Reform: Dangerousness as a Standard for Commitment
In 1971, Alberta Lessard was admitted to a facility in Wisconsin on the application of two police
officers. The officers presented their allegations to a judge three days later. On the basis of their
testimony, the judge continued Ms. Lessard’s stay in the facility for an additional 10 days.
Subsequently, a psychiatrist from the facility reported to the court that Ms. Lessard suffered from
schizophrenia and should be committed “permanently.” Without Ms. Lessard present, the judge
continued her commitment and ordered two additional evaluations. The court assigned Ms.
Lessard a guardian ad litem but did not appoint counsel to represent her. Ms. Lessard retained
counsel privately, and the court scheduled a hearing five days later. Finding Ms. Lessard to be
“mentally ill,” the court continued her commitment for 30 additional days. Subsequently, the
facility released Ms. Lessard on outpatient “parole,” but her commitment was extended monthly,
every month thereafter.
Before her release, Ms. Lessard filed a federal class action lawsuit (on behalf of herself and
others similarly situated) challenging the constitutionality of Wisconsin’s commitment law. A
year later, the court issued an opinion in Ms. Lessard’s favor, finding the procedures used to
4
commit her defective on a variety of grounds and ruling that, absent a finding of “dangerousness
to self or others,” commitment was unconstitutional (Lessard v Schmidt, 349 F. Supp. 1078 (E.D.
Wis. 1972)). Quoting from the U.S. Supreme Court’s opinion in Humphrey v Cady (405 U.S.
504, 509 (1972)), the court declared that the degree of dangerousness necessary for commitment
must be “great enough to justify such a massive curtailment of liberty.” Moreover, the court
ruled, dangerousness must be “immediate;” must be evidenced by a “recent overt act, attempt or
threat to do substantial harm to oneself or another;” and must be proved beyond a reasonable
doubt.
Lessard was not the first court opinion requiring dangerousness for commitment. In the 1845
habeas corpus case referenced above, Matter of Josiah Oaks, a Massachusetts court ruled that
“[t]he question must then arise in each particular case, whether a patient’s own safety, or that of
others, requires that he should be restrained for a certain time, and whether restraint is necessary
for his restoration or will be conducive thereto.”
Dangerousness first found statutory recognition in 1964, with Congress’ enactment of the Ervin
Act, which controlled commitments in the District of Columbia (D.C. Code Secs. 21-501 to 21-
591 (Supp. V. 1966)). The Act was noteworthy not only for establishing a dangerousness
standard for commitment but, perhaps more significantly, for recognizing less restrictive
alternatives to hospitalization as a dispositional option. In 1966, the DC Court of Appeals
interpreted the Act to require consideration of less restrictive alternatives: “Deprivations of
liberty solely because of dangers to the ill persons themselves should not go beyond what is
necessary for their protection” (Lake v Cameron, 364 F.2d 657 (1966)). Recognition that a
commitment order might extend to services outside a hospital opened the door to notions of
outpatient civil commitment, discussed later in this report.
In 1969, California enacted the Lanterman-Petris-Short Act, or LPS Act (California Welfare and
Institutions Code, Sec. 5150ff)), requiring for commitment either imminent dangerousness or
“grave disability” (a condition rendering a person unable to meet his or her basic needs for
survival). The LPS Act served as a model for other states considering reform of their
commitment laws. By the end of the 1970’s, practically every state had revised its commitment
law to require dangerousness (or some condition akin to dangerousness) as grounds for
commitment.
Most commentators suggest the dangerousness criterion is rooted in the state’s “police power” to
protect public safety. In contrast, commitment to benefit the person (e.g., on grounds of need for
treatment) reflects its parens patriae power: to act in the person’s interest. But there is no
evidence that dangerousness as a criterion for commitment was intended to widen the scope of
commitment, to include persons who were not mentally ill or did not need treatment or
placement for their benefit. These laws’ purpose has never been preventive detention, per se.
Every state’s statute requires that persons subject to commitment have a mental illness, and most
require need for treatment as well (if only in their definition of mental illness). Certainly all
states recognize a right to treatment for persons who have been committed. Thus, one might
argue that even the dangerousness standard for commitment reflects the state’s parens patriae
power—to benefit those persons whose need for treatment is so great as to place them at risk for
harm. The standard may be restrictive, but the commitment it supports is indisputably beneficent
in intent.
The U.S. Supreme Court has said very little about the boundaries of ordinary civil commitment.
Probably the most directly the Court has addressed commitment standards is in O’Conner v
Donaldson, in 1975 (422 U.S. 563 (1975). Kenneth Donaldson was a patient in a Florida state
5
hospital for almost 15 years, committed there on grounds of having a mental illness
(schizophrenia) and needing “care, maintenance, and treatment.” He contested his commitment
from the beginning, without success, and finally sued in federal court, claiming that the state had
“intentionally and maliciously deprived him of his constitutional right to liberty.” The evidence
at his trial showed that he was dangerous neither to himself nor to others, that the hospital had
provided him no meaningful treatment during his stay, and that responsible persons had
undertaken to care for him outside the hospital, if necessary upon his release. He won his suit,
and the hospital appealed. The U.S. Supreme Court upheld the verdict in Donaldson’s favor,
ruling “a State cannot constitutionally confine, without more, a non-dangerous individual who is
capable of surviving safely in freedom by himself or with the help of willing and responsible
family members or friends.” A debate persists whether the language “without more” can be read
to permit commitment of a non-dangerous person if treatment is provided. Note, however, that
earlier in the opinion, the Court stated: “Assuming that that term [‘mental illness’] can be given a
reasonably precise content and that the ‘mentally ill’ can be identified with reasonable accuracy,
there is still no constitutional basis for confining such persons involuntarily if they are dangerous
to no one and can live safely in freedom.” Many observers suggest this case stands for the
proposition that dangerousness must be established for commitment to be constitutional.
The U.S. Supreme Court weighed in again three years later, this time on the standard of proof
applicable in civil commitment proceedings (Addington v Texas, 441 U.S. 418 (1978)). The
question before the Court was whether committability—whether a person meets commitment
standards—must be established beyond a reasonable doubt
5
, as the Lessard court had ruled seven
years earlier, or whether a less restrictive standard would suffice. Mr. Addington had been
committed upon a finding by “clear, unequivocal and convincing evidence”
6
that he was
mentally ill, required hospitalization for his own welfare and protection or the protection of
others, and was mentally incompetent. He appealed his commitment, arguing that the proper
standard of proof should be the same as is required for conviction of a crime, i.e., beyond a
reasonable doubt. The Texas Court of Appeals agreed with Addington and overturned his
commitment. On further appeal, the Texas Supreme Court reversed, ruling that not only was the
state’s clear and convincing standard sufficient, Addington’s commitment would have been
proper even if established only by a “preponderance of the evidence.”
7
Ultimately the case
reached the U.S. Supreme Court. The Court recognized the significant liberty interests at stake
for the person facing commitment (including the stigma that accompanies commitment) and
rejected out of hand the preponderance standard: “The individual should not be asked to share
equally with society the risk of error when the possible injury to the individual is significantly
greater than any possible harm to the state.” But it refused to adopt the reasonable doubt
standard, noting the “lack of certainty and the fallibility of psychiatric diagnosis” and reasoning
that “there is a serious question as to whether a state could ever prove beyond a reasonable doubt
that an individual is both mentally ill and likely to be dangerous.” The “middle level” of clear
5
Proof beyond a reasonable doubt is the highest standard of proof required by law. Although the law does not
quantify standards of proof, many scholars suggest proof beyond a reasonable doubt anticipates a degree of certainty
approaching 90%.
6
Proof by clear and convincing evidence requires that the matter in question be substantially more likely to be true
than untrue, a degree of certainty that some scholars would peg at 75%.
7
Preponderance of the evidence is the standard of proof applicable in most civil law suits and is sometimes
expressed as the “greater weight of the evidence” produced by the two competing sides. It may be quantified as
greater than a 50% likelihood.
6
and convincing evidence is followed in 25 states, the Court noted, and “strikes a fair balance
between the rights of the individual and the legitimate concerns of the state.”
Reactions to a Decade of Change
By the end of the 1970’s, commitment jurisprudence was well established. Nearly every state
had revised its commitment law in accordance with Lessard, O’Conner, and Addington. Not
everyone was satisfied, however. Among the early and most vocal critics of the decade’s
developments was a Wisconsin psychiatrist named Darryl Treffert. Treffert’s letter, “Dying with
their Rights On,” published in 1973 by the American Journal of Psychiatry (Treffert, 1973),
detailed a series of cases in which prospective patients found not to be committable met sad
ends. As Paul Appelbaum, however, points out his wonderful book, Almost a Revolution
(Appelbaum, 1994), Treffert’s criticism may have proved too strong for some. In particular, he
points to an article by University of Virginia psychiatrist and law professor Browning Hoffman,
who wrote: “Patients should not die with their rights on; but they should not live with their rights
off, either” (Hoffman, 1977).
Whether the tightening of commitment criteria that occurred in the 1970’s in fact has made a
difference in commitment decision-making is an open question. Critics assumed it would, and
many, like Treffert, were quick with anecdotal evidence to prove it. But, as Appelbaum discusses
in his Almost a Revolution, the empirical evidence is not so clear. Considering studies of
individual cases, studies of persons not committed, and examinations of aggregate data,
Appelbaum concludes: “To the extent that consistent findings are available, they tend to show
that the statutes have had less impact than expected (and in some cases minimal effect) on
overall rates of commitment and on the nature of committed populations.” By way of
explanation, he points to the work of sociologist Carol Warren, who observed hearings in
California and found that the participants, despite their differing roles—psychiatrist, attorney or
judge—tend to “cooperatively reach an outcome that they all agree is desirable: hospitalization
of a person they believe is clearly in need of care.
8
It should be noted, however, that this
approach to civil commitment has received harsh legal criticism, the hearing process even being
labelled a “charade”
9
for failing to provide meaningful opportunity for vulnerable individuals to
contest the substantial liberty curtailment they face .
Despite the many studies suggesting that changes in commitment law had made little difference
in practice, there remained the view that many who needed treatment were being left. To address
this concern, psychiatrist and Harvard Law Professor Alan Stone offered his “Thank-You Theory
of Civil Commitment” (Stone, 1975). Intended to provide a treatment-oriented alternative to a
8
Outpatient commitment hearings, too, sometimes resemble collaborative proceedings in which the different
lawyers representing the state and the patient, respectively, work together toward a common goalthat the patient
receive a court-ordered treatment plan that is likely to be beneficial. However, this is not always the case. Some
lawyers who represent clients in outpatient commitment proceedings vigorously defend their clients’ wishes,
emphasizing the inherent coercion and deprivation of liberty that is at stake and discounting the potential that
services the court might impose will be beneficial. Thus, based on a lawyer’s libertarian or paternalistic perspective
on mental illness and mandatory outpatient treatment, he or she might adopt a vigorously adversarial stance,
defending the client against court-imposed treatment, or, alternatively, embrace a common goal of getting the client
the services he or she “needs.” (Swanson, 2009).
9
Michael Perlin (2018) argues that mental health courts, being situated in the criminal justice system (with its
emphasis on the rights of the accused), afford far greater due process protection than civil commitment courts.
Commitment courts, he suggests, function as extensions of the public mental health system, which he believes is
dominated by a tradition of medical paternalism, with almost complete judicial deference to psychiatrists’
discretionary recommendations.
7
purely dangerousness approach, the model keyed on the competency of the proposed patient to
decide about treatment and consisted of “five steps,” or criteria:
1. Reliable diagnosis of a severe mental illness;
2. Without treatment, a short-term prognosis of major distress, including “profound anxiety,
depression or other painful affects, deterioration of the personality, and the proliferation
or intensification of symptoms;”
3. The availability of treatment that is likely to be effective;
4. Incompetency to consent to or refuse treatment; and
5. That a reasonable person would accept the treatment being offered.
Stone’s Thank You Theory formed the basis for a Model Civil Commitment Law endorsed by
the American Psychiatric Association in 1982 and published by Stone and attorney Clifford D.
Stromberg a year later (Stromberg and Stone, 1983). Although not yet adopted in any state,
several of its elements are popular among proponents of reform today.
Deinstitutionalization
At the same time that states were tightening their commitment laws, a movement was afoot to
deinstitutionalize mental health care. Although some would point to the new restrictive laws as
the cause of deinstitutionalization, in fact the movement began at least a decade earlier. In 1955,
there were more than 550,000 state and county psychiatric beds. By 1975, when the new
commitment laws were just beginning to take effect, the number already had dropped below
200,000 (President’s Commission on Mental Health, 1978). In 2017, there were 37,209 beds in
state and county facilities. But there were another 64,142 beds in other inpatient facilities,
including private hospitals, general hospitals with separate psychiatric units, and VA Medical
Centers. If one were to add in beds in 24-hour residential treatment centers, the number would
climb another 41,079, to a total of 170,200 (Lutterman, et al., 2017). Considering population
growth since the 1950’s, of course, this number represents just a fraction of the inpatient rate
when deinstitutionalization began.
The forces shaping deinstitutionalization are myriad. Although stricter commitment laws may
play some role, far more important factors include:
The advent of effective medications, beginning in the 1950’s (and continuing today),
enabling many consumers of services to live outside institutions for the first time and
speeding recovery for those who are admitted;
The Community Mental Health Act of 1963, which endorsed community-based care as
an alternative to hospitalization and promised (though never fully delivered) funding
for community mental health centers nation-wide;
Changes in Medicaid laws, denying financial coverage for inpatient services for persons
between the ages of 21 and 65 (the Institutions for Mental Disease, or IMD, Rule),
which incentivized states to use community-based services whenever possible;
10
10
Similarly, mental health block grant funds may not be used for inpatient services in any setting. Note that the IMD
Rule recently was amended to permit coverage for “short-term” inpatient stays, under certain circumstances (Letter
from Mary C. Mayhew, Deputy Administrator and Director, CMS, to State Medicaid Directors, dated November 13,
2018).
8
Advances in the treatment of epilepsy, neurosyphilis, developmental and intellectual
disabilities, and geriatric dementia, conditions that accounted for large swaths of the
psychiatric inpatient population in years past;
Managed care, establishing strict medical necessity criteria for insurance reimbursement
of the costs of hospitalization; and
Federal disability laws such as the Civil Rights of Institutionalized Persons Act of 1980
(CRIPA) and regulations implementing the U.S. Supreme Court’s decision in Olmstead
v L.C. (527 U.S. 581 (1999)), which was based on the American with Disabilities Act
and implores states to use community alternatives to inpatient care.
Psychiatric care is not the only medical care in the U.S. that has experienced
deinstitutionalization. “From 2005 to 2014, the total number of hospital stays for all causes fell
by 6.6 percent; for mental health/substance use conditions, hospital admissions rose by 12.2
percent in the United States—the only category of hospitalization that increased in the time
period” (Pinals and Fuller, 2017). Clearly, inpatient services still have a vital place in the
continuum of mental health care, ideally integrated with community-based services to assure
smooth transitions between levels of care as a consumer’s clinical needs change (NASMHPD,
2014). But, for many reasons, inpatient settings no longer are a primary locus of care. And
inpatient commitment no longer serves as an essential gateway to services.
Inpatient commitments continue in every state but now affect a small proportion of mental health
service recipients. In 2015, on average across states, only an estimated 9 out of every 1,000
persons with a serious mental illness were involuntarily committed. States varied widely in their
estimated annual rate of commitment, however, ranging from 0.23 to 43.8 per 1,000 persons with
serious mental illness, in Hawaii and Wisconsin, respectively.
11
Recent studies of inpatient
commitment among adults with serious mental illnesses and served in public mental health
systems have found a lifetime commitment prevalence of 12.8 percent in two large counties in
Florida (Swanson et al., 2014) and 4.7 percent in Connecticut (Swanson et al., 2013).
Commitment rates in these states, of course, are far lower in any given year.
Evolving Standards of Commitment
Standards and procedures for civil commitment have softened considerably since the 1970’s.
Lessard v Schmidt, with its requirement of imminent dangerousness, evidenced by a recent overt
act and proved beyond a reasonable doubt, represents the high water mark for the legalization
movement. Although dangerousness continues to serve as a commitment criterion in nearly
every state, what must be shown to establish dangerousness has changed. In many states, the
risks presented no longer need be imminent or immediate. The requirement of a recent overt act
has been removed in some states. In others, the law now speaks of recent “acts or omissions.”
Finally, dangerousness need not always mean risk of violent behavior. In Iowa, a person may be
committed who “is likely to inflict serious emotional injury on members of the person's family or
others who lack reasonable opportunity to avoid contact with the person…if the person…is
allowed to remain at liberty without treatment.” “Serious emotional injury” is defined as “an
injury which does not necessarily exhibit any physical characteristics, but which can be
11
The 2015 average across 37 states was 9.4 (with a standard deviation of 10.4) commitments per 1,000 persons
with serious mental illness in the population. These estimates are based on data from states that reported information
on involuntary commitments to the NRI state profiles survey, available at: http://www.nri-inc.org/. Estimates of the
number of persons with serious mental illness in state populations were derived from the National Survey on Drug
Use and Health conducted by RTI International, available at: https://nsduhweb.rti.org/respweb/homepage.cfm
9
recognized and diagnosed by a licensed physician or other mental health professional and which
can be causally connected with the act or omission of a person who is, or is alleged to be,
mentally ill.”
However it may be defined in statutes today, “dangerousness” commonly has been understood to
refer to a person’s risk for behaving violently—for causing injury to self or others. Scientific
studies of the correlates of interpersonal violence and intentional self-injury have shown that
these are complex, multi-determined human behaviors; many different factors in an individual’s
life history and circumstances, including certain symptoms of mental illness, may elevate risk of
harmful acts within a particular timeframe (Swanson, 2016; Swanson & Van Dorn, 2010; Li et
al., 2011). However, for the narrow legal purpose of authorizing involuntary commitment to
psychiatric treatment— and for preventing unwarranted commitment—a person’s putative
dangerousness must be due to a mental illness that is amenable to treatment. Other factors might
also contribute to heightened risk, perhaps by interacting with certain symptoms of mental
illness, yet it must be the casein order for a person to be committablethat but for the
presence of a treatable mental illness, the person’s risk of harmful acts (or omissions) would not
rise above a threshold of concern. This is different from saying that a person’s potential harmful
behavior must be “caused by mental illnessor that mental illness itself provides a sufficient
scientific explanation for the behavior. Indeed, the most advanced multivariable causal models
that have been produced from empirical research describing violent or suicidal behavior leave
much of the variability in these phenomena unexplained (despite specifying numerous
statistically significant effects.)
This difference between scientifically sufficient explanation and legally sufficient attribution
(for the purpose of commitment to treatment) may be one without a distinction in the law. And it
must be acknowledged, this “eye of the needledefinition of significant risk linked to mental
illness does not address, and was never intended to address, the larger public health problems of
violence and suicide in the population. Indeed, violence risk as an associated symptom of mental
illness excludes from commitment many individuals in need of intervention from public safety or
social welfare agencieseven in some cases where psychopathology contributes to the
accumulation of risk. To reiterate the key point: the purpose of commitment is to assure
treatmenttreatment to ameliorate those symptoms of mental illness that contribute significantly
to an individual’s elevated risk of harm to self or others.
As ubiquitous as dangerousness may seem in the world of commitment, active dangerousness no
longer is the sole commitment criterion in most states. Nearly every state now provides
alternative grounds for commitment. Dangerousness may still appear in a state’s statute, but
“grave disability” or “serious deterioration” is likely to be there as well.
Grave disability is typically defined as an inability to provide for basic personal needs for food,
clothing, or shelter. In some states, the disability must be so grave as to cause substantial risk that
the individual will experience harm. In Alaska, for example, “‘gravely disabled’ means a
condition in which a person, as a result of mental illness, (A) is in danger of physical harm
arising from such complete neglect of basic needs for food, clothing, shelter, or personal safety
as to render serious accident, illness, or death highly probable if care by another is not taken; or
(B) will, if not treated, suffer or continue to suffer severe and abnormal mental, emotional, or
physical distress, and this distress is associated with significant impairment of judgment, reason,
or behavior causing a substantial deterioration of the person’s previous ability to function
independently” (Alaska Stat., § 47.30.915(9)).
10
In a few states, the language defining “grave disability” appears, without use of the term, “grave
disability,” in the definition of “danger to self.” For example, in North Carolina, “[d]angerous to
himself” means that “within the relevant past, the individual has acted in such a way as to show:
I. that he would be unable, without care, supervision, and the continued assistance of others not
otherwise available, to exercise self-control, judgment, and discretion in the conduct of his daily
responsibilities and social relations, or to satisfy his need for nourishment, personal or medical
care, shelter, or self-protection and safety; and II. that there is a reasonable probability of his
suffering serious physical debilitation within the near future unless adequate treatment is given
pursuant to this Chapter…” (N.C. Gen. Stat., § 122C-3(11)(a).
The latest development in commitment law is the use of “serious deterioration” as a freestanding
commitment criterion, or as a condition of grave disability (as in the Alaska and North Carolina
statutes presented above). First recognized by the American Psychiatric Association in its 1982
Model Civil Commitment Law, serious deterioration found early statutory expression in some
states’ outpatient commitment lawslanguage permitting outpatient commitment if an
individual were not currently dangerous (and, thus, not subject to inpatient commitment) but
experiencing serious mental or physical deterioration such that, without treatment, the individual
predictably would become dangerous. Now, some states permit inpatient commitment on
grounds of deterioration. For example, in Oregon, a person may be committed who is dangerous
(paragraph A of the statute), who is gravely disabled (paragraph B), or “who, unless treated, will
continue, to a reasonable medical probability, to physically or mentally deteriorate so that the
person will become a person described under subparagraph (A) or (B) of this paragraph or both”
[i.e., dangerous and/or gravely disabled] (OR. Rev. Stat., § 426.005(1)(f)).
In Wisconsin, a person may be committed upon a showing of “substantial probability, as
demonstrated by both the individual’s treatment history and his or her recent acts or omissions,
that the individual needs care or treatment to prevent further disability or deterioration and a
substantial probability that he or she will, if left untreated, lack services necessary for his or her
health or safety and suffer severe mental, emotional or physical harm that will result in the loss
of the individual’s ability to function independently in the community or the loss of cognitive or
volitional control over his or her thoughts or actions” (Wis. Stat. Ann., § 51.20(1)(a)).
As is evident in the statutes profiled above, serious deterioration, where it appears, always is
coupled with the risk that a person, without treatment, will become dangerous in some sense. To
the extent that dangerousness remains an essential criterion for commitment (as many read the
U.S. Supreme Court’s opinion in O’Conner v Donaldson), the question arises, may the risk that a
person will become dangerous if not treated qualify as current dangerousness for commitment
purposes? Dangerousness may be defined as some level of risk that a person, at some point in the
future, will act in a way that causes a harm of some sort, to a sufficient degree that a particular
intervention (here, commitment) is justified. Dangerousness does not require prediction that an
individual will act in a way that results in harm, only that there is some risk he or she will. The
degree of risk that is necessary is not settled, nor, in most states, is the immediacy of the risk or
even the type of harm the individual is at risk for. There are no bright lines delineating
dangerousness. Certainly an argument can be made that a person who is experiencing a
deterioration in his or her functioning due to a mental illness, making it likely that, without
treatment, the person’s risk of harm will become significant, is dangerous. The legislature in
Arkansas would seem to agree. Among the conditions in that state that qualify as a clear and
present danger” to self, for purposes of commitment, is the following: “(i) The person's
understanding of the need for treatment is impaired to the point that he or she is unlikely to
11
participate in treatment voluntarily; (ii) The person needs mental health treatment on a
continuing basis to prevent a relapse or harmful deterioration of his or her condition; and (iii)
The person’s noncompliance with treatment has been a factor in the individual’s placement in a
psychiatric hospital, prison, or jail at least two times within the last forty-eight months or has
been a factor in the individual’s committing one or more acts, attempts, or threats of serious
violent behavior within the last forty-eight months” (Ark. Code Ann., § 20-47-207(c)(2)(D)).
The same thinking may apply to grave disability. Even in states whose statutes separate out
dangerousness to self and grave disability, the conditions that constitute grave disability might be
seen as showing dangerousness. The question ultimately is one for the commitment decision-
maker: does the risk the person presents, whatever it may be, justify the intervention.
A final commitment criterion found in some states’ laws is incompetency. When laws for the
commitment of persons with mental illnesses first appeared, need for treatment in a psychiatric
hospital was presumed to include incompetency. By the late 1960’s, however, a new emphasis
on respect for patient autonomy in medical decision-making, generally, called into question
whether acutely ill psychiatric patients necessarily were incapable of providing adequate consent.
In a context where respecting patient rights increasingly came to mean documenting one’s
reliable consent to or refusal of recommended treatment, the adjudication of mental
incompetencewith assignment of a guardian or conservator as a substitute decision-maker
became the high standard for overriding a patient’s treatment refusal. A few states went further
and required incompetency as a perquisite for commitment. In these states, no person who was
capable of making an informed choice about treatment could be committed. Incompetency still
survives as a commitment criterion in a few states. In Alabama, a person may not be committed
unless he or she is “unable to make a rational and informed decision as to whether or not
treatment for mental illness would be desirable” (Ala. Code, § 22-52-10.4(a)(4)). In New York,
“‘in need of involuntary care and treatment’ [one of the requirements for inpatient commitment]
means that a person has a mental illness for which care and treatment as a patient in a hospital is
essential to such person’s welfare and whose judgment is so impaired that he is unable to
understand the need for such care and treatment” (N.Y. Mental Hygiene Law, § 9.01).
Impaired understanding of one’s need for treatment (although not necessarily full incompetency)
is required in Arkansas, as a condition of commitment on grounds of serious deterioration
(discussed above). The law is similar in Idaho, where impaired understanding is termed “lack of
insight.” In Idaho, a person may be committed on grounds of grave disability if he or she is either
“(a) in danger of serious physical harm due to an inability to provide for his basic personal
needs… or (b) lacking insight into his need for treatment and is unable or unwilling to comply
with treatment and…there is a substantial risk he will continue to physically, emotionally or
mentally deteriorate to the point that the person will, in the reasonably near future, be in danger
of serious physical harm due to the person’s inability to provide for any of his own basic
needs…” (Idaho Code, § 66-317(13)).
Review: Component Parts of an Inpatient Commitment Standard
Inpatient commitment law today consists of several component parts:
Mental illnessrequired in every state; generally defined in terms suggesting serious
mental illness (e.g., substantial disorder of thought or mood that grossly impairs
judgment, behavior, or ability to negotiate demands of life), usually excluding substance
use disorders, intellectual disabilities, and dementia;
12
Dangerousness to self or others—appearing in the law in nearly every state, although no
longer as an exclusive criterion in most; defined in various ways, as discussed above;
Grave disability—part of the law in most states; generally defined as inability to provide
for basic personal needs, as discussed above;
Need for treatmentrequired in nearly every state, either as an explicit criterion or as
part of the definition of mental illness, and certainly contemplated in every state by
commitment’s essential purpose, which is treatment; no longer an exclusive criterion for
commitment in any state, except where defined to encompass risk of harm or some other
commitment criterion;
Deteriorationbeginning to appear as a distinct criterion in some states’ laws, or as part
of the definition of grave disability, as discussed above; never an exclusive criterion;
and
Incompetencepart of the law in a few states; never an exclusive criterion.
In addition to these criteria, most states require that commitment comport with the principle of
the least restrictive means, providing either (i) that a person may not be committed if his or her
needs can be met in a less restrictive setting, or (ii) that a person whose needs can be met in a
less restrictive setting may be committed to services in that setting but may not be committed as
an inpatient. The latter view contemplates outpatient commitment, discussed below.
Procedural Considerations and an Opportunity for Diversion
At least since the reforms of the 1970’s, every state’s inpatient commitment law has provided
procedural protections for persons facing commitment. Proceedings typically may be initiated by
a family member, a mental health provider, a law enforcement officer, or a court official. In 38
states, any adult may petition (or apply) for commitment. In some states, before an individual
may be taken into custody, a court or other judicial official (e.g., magistrate) must approve the
commitment petition, upon a finding of probable cause to believe the individual meets criteria. In
other states, a law enforcement officer, serving as petitioner, or an officer who has received a
petition from certain other authorities, may take the individual into custody directly, without
further authorization, and deliver him or her to a facility for evaluation. In some states, the
individual must be taken first to an emergency facility, where the individual may be medically
“certified” for admission and then transported to a treatment facility for stabilization and
additional evaluation pending further proceedings.
A hearing to adjudicate the individual’s committability typically must be held within some
number of hours or days after commencement of custody. Not every state requires a hearing,
however. In New York, hearings are held only upon request. Individuals who are medically
certified for admission may be held for up to 60 days without any court order, although they are
assigned legal counsel and may request a hearing at any time. Retention beyond 60 days must be
authorized by a court, but no hearing need be held unless requested (NY Mental Hygiene Law,
§9.33).
Individuals facing commitment have the right to notice of hearings; the right to the assistance of
counsel; the right to appear, to testify, and to present witnesses and other evidence contesting
commitment; and the right to confront witnesses appearing “against” them (i.e., in support of
commitment). A judge or other judicial or quasi-judicial official presides and, in most cases,
hears the evidence and decides committability. In some states, individuals may request a jury. In
every state, in accord with the U.S. Supreme Court’s decision in Addington v Texas, the
13
individual may be committed only if found to meet commitment criteria by, at a minimum, clear
and convincing evidence.
The period of time in which a candidate for commitment may be held in custody for evaluation,
before further review, ranges from 23 hours (in North Dakota) to 10 days (in New Hampshire
and Rhode Island) and 60 days in New York. The most common period of pre-review hold is 72
hours (in at least 17 states). In three states (Kansas, Nebraska, and West Virginia), no time period
is specified (Hedman, et al, 2016). During this time, the individual may be offered treatment and,
typically, the opportunity to accept a voluntary admission (if appropriate) or other, community-
based services. If it appears that the individual does not require commitment, he or she may be
released, ideally with an “aftercare” plan for services in the community. Mental health systems
may wish to prioritize these individuals for services, if only to avoid the more costly alternative
of commitment.
It is not known how many people placed in a facility for pre-commitment evaluation are diverted
to services voluntarily (or otherwise released), obviating the need for commitment. But anecdotal
reports suggest the numbers may be significant. Indeed, these “emergency holds” may represent
an important gateway to services for many consumers.
Outpatient Commitment
By the latter decades of the twentieth century, deinstitutionalization had swept tens of thousands
of long-term psychiatric patients out of state mental hospitals and into community settings.
Mental health policymakers and stakeholders of the day were optimistic about a new generation
of more effective medications and therapies, and animated by a belief in the salubrious,
normalizing quality of community participation and support; long-term institutionalization had
been part of what kept people from recovering, they thought. But the medicines alone were never
quite as effective as promised—at least not for everyone—and the comprehensive community-
based care system that was envisioned to meet the complex needs of persons with severe,
disabling disorders such as schizophrenia never fully materialized.
Facing formidable barriers to accessing community care, and some being unable or unwilling to
adhere voluntarily to treatment that was available, a substantial number of adults with serious
mental illnesses fell into a cycle of clinical deterioration,
12
marked by rounds of exigent short-
term psychiatric admission and, often, further desistance and alienation from services upon
discharge. A common clinical pattern involves an individual receiving treatment, doing well for
a period of weeks or months, and then dropping out of treatment. Some become involved with
the criminal justice system, often as a result of low-level offending related indirectly to untreated
psychiatric symptoms.
13
12
The cycle of deterioration was frequently made worse by co-occurring substance abuse, which can exacerbate
psychiatric symptoms while inhibiting the person’s ability or willingness to adhere to prescribed psychotropic
medications, and also exposing them to unhealthy (even criminogenic) social networks and environments (Volavka
and Swanson, 2010).
13
Research on people with mental illnesses who become involved with the criminal justice system has shown that
only a small proportion of these individuals were arrested either for violent offenses or for behaviors directly
attributable to their mental illness symptoms. A large study of arrests involving people with serious mental illnesses
in Connecticuts public behavioral health system found that only 10% of these arrests were for violent offenses,
while nearly half were for miscellaneous minor offenses such as trespassing or breach of the peace (Swanson et al.,
2013). Another study of jail inmates with serious mental illnesses found that about 9 out of 10 were in jail for the
same reasons as others facing minor chargesreasons associated with homelessness, joblessness, poorly structured
14
Thus, a number of factors combined to create circumstances in which many state and county-
based mental health systems found themselves ill-equipped to provide appropriate community-
based services to persons with the most serious mental illnesses. In tandem with changes in the
locus as well as the organization and financing of mental health care, and in response to
increasing concerns regarding the plight of so-called “revolving door” patients, court-mandated
community treatment laws and programs emerged beginning in the 1980s (Miller, 1988). These
included, notably, North Carolina’s pioneering “preventive outpatient commitment” law (King,
1994) and, later, New York’s “Assisted Outpatient Treatment” (AOT) program, also known as
Kendra’s Law”
14
(Swartz et al., 2009; 2010).
From a legal perspective, outpatient commitment represented an extension of states’ civil
commitment authority into the community. Conceptually, a community treatment order
“committed the patient” to a treatment plan,
15
but perhaps more importantly it “committed the
mental health authority” to serving the high-need patient as a priority, creating an extra layer of
system accountability. As a practical matter, outpatient commitment laws have sometimes been
used to leverage or prioritize outreach and intensive community-based services to individuals
who are difficult to engage in treatment, just as inpatient commitment laws have been used to
prioritize access to beds for acutely ill psychiatric patients.
What services do people receive on AOT, and is this targeted allocation of scarce public mental
health resources fair to people who do not qualify for court-ordered treatment? The types of
services often included in AOT treatment plans include Assertive Community Treatment (ACT),
intensive case management, supported housing, prescribed medication and frequent individual
therapy visits. Some advocates argue that giving outpatient-committed individuals priority access
to these services is unfair, insofar as it displaces others in need who could benefit from the same
array of services—and would voluntarily receive them—but do not qualify for outpatient
commitment. While this is a reasonable concern, research on New York’s AOT program found
leisure time, and substance abuse. However, all of these conditions disproportionately affect people with serious
mental illnesses; thus, symptoms may be said to contribute indirectly to criminal offending in this group (Skeem et
al., 2011; Peterson et al., 2010).
14
Some critics of outpatient commitment regard the term, “Assisted Outpatient Treatment,” as a euphemism
designed to soften or distract from the involuntary nature of a mandatory treatment regime (Roskes, 2013).
15
Persons subject to outpatient commitment are mandated by a judge to follow a treatment plan, which typically
includes visits to a mental health provider and taking prescribed medication; but it should be noted that legal
sanctions for non-adherence are weak. In other legal contexts, failure to comply with a court order can result in a
criminal contempt citation. In contrast, and by design, there is no “criminalizing” consequence of not following
through with a civil court order for outpatient mental health treatment. Under most outpatient commitment statutes,
the non-adherent individual may only be picked up by the police and transported to a health care facility for
evaluation. At that point, if the person continues to refuse or resist treatment and does not meet criteria for
involuntary hospitalization, he or she must be released. Note in particular that, with only rare exceptions, no legal
mechanisms exist for forced medication in an outpatient setting. The effect of these weak sanctions, however, is
somewhat ambiguous. Whereas some clinicians suggest that outpatient commitment is “toothless,” evidence shows
that the majority of persons under outpatient commitment believe that they are legally obligated to comply, given
the court order, and that they act accordingly (Borum, et al., 1999). Some observers have termed this the “black robe
effect.
Whether the ends here justify the means, however, is controversial. Hoge and Grottole argue that “a strategy
that relies on patient misinformation to foster its success devalues the individuals being served, and undermines the
physician-patient relationship.... The profession has an obligation to educate patients subject to mandated outpatient
treatment about the scope and limits of the mandate. To do otherwise is to employ deception of individuals under the
guise of attempting to promote their health and welfare” (Hoge & Grottole, 2000).
15
that any adverse “crowd-out” effect of AOT was short-lived, confined to the first two to three
years following enactment of the law. Over time, the appropriation of new funding for services
that accompanied the enactment of AOT potentially benefitted anyone who needed intensive
mental health services; enhanced service capacity meant that many more people were assigned to
ACT teams or intensive case managers, whether or not they legally qualified for AOT (Swanson
et al., 2010).
When outpatient commitment laws first appeared, they were used most often as a step down for
inpatients upon their discharge, or for individuals with extensive histories of admission and
release, to bring an end to what was perceived as a “revolving door” cycle of hospitalization. In
more recent decades, as the locus of care has shifted more and more into community care
settings, and fewer patients are hospitalized in the first instance, outpatient commitment may be
initiated in the community for persons without a history of multiple hospitalizations.
A body of empirical research has shown that these laws, as implemented in some jurisdictions,
can make a differencethat outpatient commitment orders, if kept in place for at least 6 months
and paired with intensive services,
16
are associated with reduced incidence of hospitalization and
improved quality of life for many persons with a serious mental illness. Still, this interpretation
of the extant studies of effectiveness remains contested in some quarters, and the policy remains
controversial (Swanson, Swartz & Moseley, 2017a; 2017b). And, importantly, there remains
considerable variability in outpatient commitment laws and policies, implementation models, and
practices. Some may not work as effectively as others. If badly designed, poorly implemented, or
under-resourced, they pose the risk of subjecting individuals they commit to services that are
non-existent or of poor quality, further alienating these individuals from the services system.
Is there an ideal or best outpatient commitment or “AOT” law? There probably is no single
“ideal” AOT law, but research evidence and clinical experience support certain features of AOT
statutes and programs as important ingredients for success. Key aspects include the “what, who,
and how” of AOT: what AOT consists of (the services and treatment plan that it offers and,
importantly, the resources available for implementing it); who qualifies for AOT (its eligibility
requirements); and how AOT is implemented and enforced (its administrative infrastructure, due
process protections, sanctions for noncompliance, limitations and duration.)
It is clear that an AOT order can only be as effective as the treatment plan that it authorizes and
the capacity of the local mental health care system to provide the services described in the plan.
New York’s AOT statute is exemplary in its requirement for a written treatment plan that “shall
include case management services or assertive community treatment team services to provide
care coordination…” and “any other services … to treat the persons mental illness and to assist
the person in living and functioning in the community, or to attempt to prevent a relapse or
deterioration that may reasonably be predicted to result in suicide or the need for
hospitalization.” Importantly, the enabling legislation in New York included an allocation of
substantial new funding—$32 million for direct support of AOT programs and $125 million
yearly for enhanced community services, specifically including increased capacity for Assertive
Community Treatment (ACT) and Intensive Case Management (ICM); arguably the success of
16
The Duke Mental Health Study reported a significant positive effect of extended outpatient commitment in
reducing hospitalizations, but the effect was essentially conditioned on receipt of a certain level of intensive
servicesspecifically, at least 3 billed outpatient service events per month (Swartz et al., 1999). Similarly, the
evaluation of New York’s AOT program found that AOT significantly reduced hospitalization in combination with
Assertive Community Treatment (ACT), but provided no evidence of an AOT benefit in the absence of available
intensive services. (Swartz et al., 2009; 2010).
16
the program depended on these resources being made available in tandem with the new law
(Swartz et al., 2009).
North Carolina’s 1983 law provided flexibility to use outpatient commitment in a way that
applied more broadly to people who were not imminently dangerous or mentally incompetent,
but whose history of illness clearly showed a pattern of clinical deterioration resulting from
treatment non-adherence. It was among the first of the outpatient commitment laws to permit
mandatory community-based treatment of individuals who did not meet inpatient commitment
standards (King, 1995). Historically, “outpatient commitment” only applied to people who
already met criteria for involuntary hospitalizationessentially people with a mental illness who
were deemed to be “dangerous to self or others.” This high threshold essentially allowed two
types of outpatient commitment. First, a person might be committed to services in the
community as a less restrictive alternative to hospitalization. Second, a “conditional release”
might be granted at the end of an involuntary hospital stay—a release to court-ordered,
community-based treatment as a step-down disposition, pending return to the hospital should the
patient’s condition deteriorate.
These earlier types of outpatient commitment were mostly non-controversial, but, from a clinical
standpoint, they were not very practical. In cases where a patient had already been determined to
meet a “dangerousness” criterion for involuntary commitment, risk-averse psychiatrists were
reluctant to recommend release into the community.
17
And in cases where a patient could be
safely discharged, the criteria for commitment seemed not to apply.
18
Without a change in the
law, then, outpatient commitment remained a promising idea but was not widely implemented.
Against this backdrop, North Carolina enacted a “preventive” form of outpatient commitment
that became the prototype for the AOT laws later adopted in other states such as New York and
California.
More specifically, under a preventive outpatient commitment law, a person with mental illness
who was not currently dangerous, and therefore not legally committable to a hospital, could be
ordered to community treatment on the basis of a complex clinical assessment and prediction
about the future. The North Carolina statute set forth the following criteria: “a. The respondent is
mentally ill; b. The respondent is capable of surviving safely in the community with available
supervision from family, friends, or others; c. Based on the respondent’s psychiatric history, the
respondent is in need of treatment in order to prevent further disability or deterioration that
would predictably result in dangerousness…; and d. The respondent’s current mental status or
the nature of the respondent’s illness limits or negates the respondent’s ability to make an
informed decision
19
to seek voluntarily or comply with recommended treatment” (N.C. General
Statutes, § 122C-261).
17
For fear that the harms for which the person was at risk would materialize, despite treatment provided in the
community.
18
Because anyone deemed safe for release could not be seen as “dangerous.”
19
The meaning and practical implication of this criterion regarding impaired decision-making is somewhat
ambiguous. It is notable that the criterion seems to require a clinical determination of at least some degree of illness-
related diminished capacity to make an “informed decision” (that is, a decision to seek or comply with
recommended treatment). At the same time, the criterion clearly does not meet the legal standard for mental
incompetence (that is, an inability to understand risks and benefits of treatment, to reason, and communicate a
reliable decision about treatment.) This ambiguity serves both the paternalistic and libertarian sides of the outpatient
commitment debate, as the criterion can be interpreted in two wayson the one hand justifying the intervention of
17
Some states’ AOT statutes, exemplified by Kendra’s Law in New York, included additional
criteria that made it more difficult for an individual to qualify for AOT, but also provided
safeguards to prevent its overuse and to protect the civil rights of mental health consumers.
Specifically, Kendra’s Law requires that a candidate for AOT have been hospitalized at least
twice within the prior three years as a result of non-compliance with treatment, or have
committed, attempted, or threatened an act of violence or self-harm within the prior two years.
The law also requires a determination that the candidate is “likely to benefit” from AOT.
Whether these criteria are necessary to prevent the unwarranted application of a mandatory
treatment regime, or stand as a needless hindrance to the provision of services, is a matter of
some disagreement. Clearly, the interests at stake require a careful balancing.
20
It should be noted that the ostensible public safety function of AOT—essentially the idea that
AOT might prevent random acts of serious violence by persons with untreated mental illness—
became an important theme in vigorous efforts to build public support for enacting preventive
outpatient commitment laws beginning in late 1990s.
21
To a degree, the strategy was successful;
it was not an accident that at least three states’ outpatient commitment laws were named for
victims of sensational homicides perpetrated by erstwhile psychiatric patients who had stopped
taking their prescribed antipsychotic medications. “Kendra’s Law” in New York was named in
memory of Kendra Webdale, a young woman pushed into the path of an oncoming subway train
by Michael Goldstein in 1999
22
; “Laura’s Law” in California was named for Laura Wilcox, a
college student who was fatally shot inside a public behavioral health clinic in Nevada County
by Scott Harlan Thorpe in 2001; and “Kevin’s Law” in Michigan was named for Kevin
outpatient commitment in the best interests of a person whose capacity to make a fully informed decision is
diminished, while on the other hand seeming to undermine the state’s authority to override a clear treatment refusal
by a person who may lack sound judgment but is not mentally incompetent (and whose wishes, thus, should still be
honored).
20
In the Matter of K.L., a 2004 case addressing the constitutionality New York’s AOT law, the New York Court of
Appeals ruled that Kendra’s Law met federal and state constitutional requirements. The Court’s decision read, in
part: “[T]he assisted outpatient's right to refuse treatment is outweighed by the state’s compelling interests in both its
police and parens patriae powers. Inasmuch as an AOT order requires a specific finding by clear and convincing
evidence that the patient is in need of assisted outpatient treatment in order to prevent a relapse or deterioration
which would be likely to result in serious harm to self or others, the state’s police power justifies the minimal
restriction on the right to refuse treatment inherent in an order that the patient comply as directed. Moreover, the
states interest in the exercise of its police power is greater here than in Rivers, where the inpatients confinement in
a hospital under close supervision reduced the risk of danger he posed to the community.Notably, the court’s
conclusion that AOT passed constitutional muster was bolstered by the fact that mandatory treatment under AOT
has limited enforceability: “The restriction on a patients freedom effected by a court order authorizing assisted
outpatient treatment is minimal, inasmuch as the coercive force of the order lies solely in the compulsion generally
felt by law-abiding citizens to comply with court directives. For although the Legislature has determined that the
existence of such an order and its attendant supervision increases the likelihood of voluntary compliance with
necessary treatment, a violation of the order, standing alone, ultimately carries no sanction.” (Matter of K.L.,
February 17, 2004, NY Court of Appeals). Had the law authorized involuntary administration of medications, for
example, it is not likely the Court would have ruled as it did.
21
These efforts were spearheaded in particular by the Treatment Advocacy Center and its founder, Dr. E. Fuller
Torrey (Torrey, 2008).
22
Goldstein had attempted, unsuccessfully, to access treatment shortly before he pushed Ms. Webdale off of the
subway platform; thus his case may better illustrate the inadequacy of care and outreach in public mental health
services than the problem of treatment avoidance (Winerip, 1999)
18
Heisinger, another student who was beaten to death in the Kalamazoo bus station by Brian
Williams in 2000.
All three of the offenders in these cases were well known both to the public mental health
systems, where they had been long-term clients, and to the police and criminal justice systems
with which they also had been intermittently involved. All had some history of violence and
aggression, and, at least in Goldstein’s and Thorpe’s cases, extreme anger directed against the
mental health system for, in their view, failing to adequately serve them. All three were
institutionalized following their crimes—Goldstein sentenced to prison upon conviction of 2
nd
degree murder, Thorpe committed as incompetent to stand trial, and Williams committed after
being found not guilty by reason of insanity—and thus were incapacitated from harming others
in the future. Whether Kendra, Laura, and Kevin could have been saved by their eponymous
outpatient commitment laws is uncertain, but there is little question that the publicity
surrounding these cases, and what the advocates for outpatient commitment strategically made of
it at the time, played a crucial role in these laws being enacted (Swanson, Swartz & Moseley,
2017a).
Research evidence has shown only a weak link between mental illness and any violent behavior;
while an estimated 18.3 percent of Americans suffer from some form of mental illness
(Substance Abuse and Mental Health Services Administration, 2016), only about 4 percent of
community violence is attributable to psychopathology per se (Swanson, 1994).Thus, there is
little convergence between the goal of preventing violence, as a complex and multi-determined
public health problem in its own right, and a policy such as AOT, which is designed essentially
to provide treatment access to people with mental illness, the overwhelming majority of whom
are not violent toward others. The promotion of AOT as a way to prevent violence—especially
with regard to rare and extreme acts such as multi-casualty mass public shootings—is largely
misplaced, and can have the unintended adverse effect of reinforcing and increasing the social
stigma associated with mental illness (McGinty et al., 2018; Swartz et al., 2017).
If outpatient commitment is going to be used, what is its recommended duration? Researchers in
North Carolina studied this question in the 1990’s, concluding that six months was the evidence-
based minimum duration for an involuntary outpatient commitment order that could be expected
to significantly reduce hospital admissions or lengths of stay (of course, presuming the
availability of effective services).
23
There is no research suggesting an optimal maximum
23
It should be noted that some scholars have criticized the Duke Mental Health Study’s finding as the result of a
post hoc analysis, noting that the duration of outpatient commitment was not subject to random assignment in the
study’s original design. According to this criticism, clinicians might have disproportionately extended the length of
outpatient commitment for the most agreeable patients (who would have had the best outcomes anyway), and failed
to renew the orders for those who were less agreeable and, thus, less rewarding to serve (and who, therefore, may
have been more likely to be re-hospitalized). While acknowledging this limitation in their methodology, the study
authors have argued from their data that patients whose outpatient commitment orders were renewed had
significantly lower baseline scores on insight into illness and medication adherence prior to their index
hospitalizationfactors that otherwise correlate positively with readmission. Moreover, the study protocol required
that the treatment team conduct an explicit review of the statutory criteria prior to requesting a renewal hearing, and
that they request renewal for all patients who continued to meet the criteria for outpatient commitment. Thus,
according to this counterargument, if the renewal process was biased, it was most likely to have been in a
conservative direction that would have favored not finding an effect for extended outpatient commitment (Swanson
& Swartz, 2014). Importantly, the methodological critique of the Duke Mental Health Study’s “dose effect” analysis
does not concern the study’s primary finding of a significant positive main effect for outpatient commitment from
the randomized trial analysis. Incorporating observations of hospital admissions for all months of follow-up in a
19
duration. The question of whether court-ordered treatment should be continued in any given case
or be allowed to expire without renewal is typically addressed as an individualized matter,
informed by a psychiatrist’s or treatment team’s recommendation and determined by the court.
The clinical recommendation is contingent on a consumer’s progress under outpatient
commitment. Individuals vary in their responses and reactions to outpatient commitment, as do
clinicians in their attribution of particular results to the policy’s intended benefits or potential
drawbacks. As always, the continuing availability of services is critical.
The Duke Mental Health Study found that persons with serious mental illnesses who received
outpatient commitment orders lasting 6 to 12 months had 57 percent fewer readmissions and an
average of 20 fewer hospital days during the study year than a control group that received no
outpatient commitment. Study participants who received less than 6 months of outpatient
commitment had no better outcomes than those who received none (Swartz et al., 1999). The
study also showed that participants who had longer periods of court-ordered treatment had a
significantly better quality of life at one-year follow-up, by their own report (Swanson et al.,
2003). Levels of perceived coercion, however, were somewhat higher in association with longer
periods on outpatient commitment, an adverse effect that moderated its positive impact on
quality of life. However, for most, the benefits can be said to outweigh the downside of longer
doses of outpatient commitment. Research showed that the strength of consumers’ preferences
for remaining in the community and avoiding hospitalization were substantially greater than the
strength of preferences for avoiding court-ordered outpatient treatment.
New York’s 1999 outpatient commitment (AOT) statute (Kendra’s Law, §9.60 of the Mental
Hygiene Law) initially specified 6 months as the maximum duration of a court order. An
evaluation of the New York AOT program showed that most participants in the period from
1999-2007 received an initial order of 6-months duration. As a group, they experienced
significant improvements in their patterns of services utilization and outcomes: medication
adherence and intensive outpatient services participation significantly increased, while inpatient
admissions and number of days hospitalized (for those who were) significantly decreased. The
New York AOT evaluation also showed that participants who remained under court-ordered
treatment for longer periods—7 to 12 months—experienced even better outcomes. Moreover,
those who “graduated” from AOT after having spent a longer period in the program were less
likely to relapse and be rehospitalized than those who had spent a shorter period on AOT. Based
partly on these research findings, New York amended Kendra’s Law in 2013 to extend the
allowable duration of an initial AOT order from 6 months to 1 year.
Current status of outpatient commitment in law and practice. Although still controversial in
many circles, outpatient commitment, if properly designed and implemented, with
comprehensive services and supports readily available, is now generally considered to be a
valuable tool in mental health services delivery. But there is considerable variation across states
in the statutory criteria for eligibility, models of implementation and financing, and in the
proportion of the population with serious mental illness that is targeted and affected by outpatient
commitment regimes.
repeated-measures analysis, the investigators found that “[a]ssignment to the outpatient commitment group was
associated with significantly lower odds of any readmission (odds ratio=0.64, 95 percent CI=0.460.88, p≤0.01)”
(Swartz et al., 1999).
20
A useful description of what is perhaps the prevailing professional view of outpatient
commitment appears in a 2015 position statement and resource document of the American
Psychiatric Association (APA, 2015):
“1. Involuntary outpatient commitment, if systematically implemented and resourced, can be
a useful tool to promote recovery through a program of intensive outpatient services
designed to improve treatment adherence, reduce relapse and re-hospitalization and decrease
the likelihood of dangerous behavior or severe deterioration among a subpopulation of
patients with severe mental illness.
2. The goal of involuntary outpatient commitment is to mobilize appropriate treatment
resources, enhance their effectiveness and improve an individual’s adherence to the
treatment plan. It should not be considered as a primary tool to prevent acts of violence.
3. Some of the research studies have shown that involuntary outpatient commitment is most
effective when it includes a range of medication management and psychosocial services,
equivalent in intensity to those provided in Assertive Community Treatment or intensive
case management.
4. States adopting involuntary outpatient commitment statutes should assure that adequate
resources are available to provide such intensive treatment to those under commitment.”
In 2016, the Policy Surveillance Program (Law Atlas, 2016) conducted a systematic 50-state
legal survey of the features of outpatient commitment statutes. The survey identified 47 states
with laws that permit some form of outpatient commitment, with 32 states having a “preventive”
type of outpatient commitment law, where the eligibility criteria include a determination that
outpatient commitment is needed to prevent future dangerousness to self or others, or to prevent
clinical deterioration that would predictably lead to future dangerousness. The same year,
Meldrum and associates (Meldrum et al., 2016) conducted a national survey of the
implementation of outpatient commitment, identifying 20 states with “active” outpatient
commitment/AOT programs. A 2005 MacArthur study in 5 states estimated that between 12 and
20 percent of consumers with serious mental illnesses who were being served in the public-sector
mental health system had received some form of outpatient commitment in the past (Monahan et
al., 2005).
A cross tabulation of classification schemes from these studies reveals a correlation between
states having a “preventive” type of outpatient commitment statute and those having “active”
AOT programs. As shown in Table 1, the majority of active AOT programs (75 percent) were in
states with “preventive” statutes. Only 5 states with more traditional statutes (that is, where
inpatient commitment criteria must first be met) had active AOT programs. Of the 32 states with
preventive AOT statutes, 20 (63 percent) had active AOT programs; of the 18 states without a
preventive statute, 5 (33 percent) had active AOT programs.
The Meldrum study also found that AOT programs varied considerably in (i) their style of
implementation, (ii) the agency responsible for administering the program, (iii) whether an
approved treatment plan was incorporated into the court order, (iv) the monitoring procedures
that were in place, and (v) the numbers of participants involved. There were three distinct (but
not mutually exclusive) implementation models found to be in use in different states. The first
was a model that views AOT as a “community gateway” into treatmentthat is, targeting people
with untreated mental illness who are living in the community and are not in touch with the
mental health system. The second model was a “hospital transition” model, where AOT is used
as a step-down program for people who have been involuntarily hospitalized and are re-entering
21
the community. The third model was a “surveillance” or “safety net” model to monitor people
with serious mental illness who are considered to be at risk of desisting from treatment.
Stakeholders tend to perceive a common set of problems and implementation challenges across
all three of these AOT models, including: (i) inadequate resources in many communities, (ii) lack
of enforcement power, (iii) inconsistent monitoring of whether the AOT conditions and
treatment plan are being adhered to, and (iv) weaknesses in the networks of inter-agency
collaboration which may be required for AOT to succeed. As a result, AOT programs continue to
be unevenly implemented, if implemented at all, in many states. Stakeholders, including judicial
officers, mental health clinicians, and legal professionals, continue to express ambivalence about
their roles and about the priority and scope of AOT programs, especially in view of these
difficulties of implementation under existing funding constraints.
22
Table 1. States with preventive AOT statues and Active AOT programs
_______________________________________________________________
State Preventive AOT Statute* Active AOT Program** __
Arizona Yes Yes
California Yes Yes
Idaho Yes Yes
Illinois Yes Yes
Indiana Yes Yes`
Maine Yes Yes
Montana Yes Yes
Nevada Yes Yes
New York Yes Yes
North Dakota Yes Yes
Oklahoma Yes Yes
Rhode Island Yes Yes
Vermont Yes Yes
Washington Yes Yes
Wisconsin Yes Yes Total Yes/Yes: N=15
Alabama Yes No
Arkansas Yes No
Florida Yes No
Georgia Yes No
Hawaii Yes No
Kansas Yes No
Louisiana Yes No
Michigan Yes No
Minnesota Yes No
Mississippi Yes No
New Jersey Yes No
North Carolina Yes No
Ohio Yes No
Tennessee Yes No
Virginia Yes No
West Virginia Yes No
Wyoming Yes No Total Yes/No: N=17
Delaware No Yes
Iowa No Yes
Nebraska No Yes
New Hampshire No Yes
South Carolina No Yes Total No/Yes: N=5
Alaska No No
Colorado No No
Connecticut No No
Kentucky No No
Maryland No No
Massachusetts No No
Missouri No No
New Mexico No No
Oregon No No
Pennsylvania No No
South Dakota No No
Texas No No
Utah No No Total No/No: N=13
_________________________________________________________________
Total Yes: N=32 Yes: N=20______________________
* Meldrum et al., (2016); ** Policy Surveillance Program (2016)
23
Part II. Ethical Principles to Guide Civil Commitment
In the United States, as we have seen, confinement of a person to a mental health facility against
the person’s will is authorized, typically, under a state law intended to protect the person from
harm—to secure for the person the treatment he or she needs to avoid bringing harm to self or
others. Outpatient commitment may be authorized as a less-restrictive alternative for individuals
who need ongoing treatment and support to prevent relapse or a deterioration of their mental
illness symptoms, increasing their risk for harm; such persons must be able to live safely in the
community with available supports but be unlikely to adhere voluntarily to prescribed treatment
without the legal leverage and additional supervision that a court order provides.
Involuntary commitment, whether associated with hospitalization or a community treatment
program, involves a significant limitation of libertythe kind of limitation that is rare outside of
the criminal justice system. For this reason, among others, commitment remains controversial,
especially among recovery-oriented mental health stakeholders who place a high value on
personal autonomy and self-determination. Ethical critiques of commitment invoke the dubious
moral legacy of psychiatric paternalism from a previous century, when long-term
institutionalization of persons with mental disabilities was commonplace, and, in some cases,
used as a form of social control.
How do commitment laws comport with broad ethical principles that guide contemporary
practice in community mental health settings ? Well-intended clinicians and other parties aim to
deliver services that are beneficial, not harmful, person-centered, and fair. Consideration of civil
commitment, to inpatient or outpatient settings, necessarily introduces an element of adversity
and poses challenges to these ethical principles of services delivery. The bioethicists Thomas
Beauchamp and James Childress developed a framework adaptable to this analysis, using four
principles to highlight potential ethical concerns in a health-related policy, practice, or decision
(Beauchamp and Childress 2012; Beauchamp 2009). Applying these principles to involuntary
commitment provides a useful way to evaluate the ethical issues at stake, and to articulate
normative injunctions and general rules for using commitment in beneficial and just ways, and
for avoiding its use in ways that may be harmful or unfair.
Beauchamp and Childress’ four main ethical principles are: (1) respect for autonomy (respecting
the decision-making capacities of autonomous persons); (2) non-maleficence (avoiding the
causation of harm); (3) beneficence (providing benefits and balancing benefits against risks); and
(4) justice (fairness in the distribution of benefits, burdens and risks).
24
In the discussion that
follows, we briefly examine each principle as it may apply to inpatient and outpatient
commitment.
Respect for autonomy
Do civil commitment regimes protect personal autonomy, or do they mainly undermine the right
of autonomous persons to make their own decisions about health care, including the right to
refuse psychiatric treatment? The concern, of course, is that mandating treatment is inherently
coercive, and that coercion on its face is antithetical to self-determination. Thus, court-ordered
treatment requires a strong justification, such as helping persons whose mental illness symptoms
(and consequential poor judgment) might otherwise lead them to behave in ways injurious to
their health or safety, or that of others. For many persons facing inpatient commitment, that is the
24
Other widely recognized ethical principles, such as truthfulness, are implied or assumed by one or more of the
four principles discussed by Beauchamp and Childress.
24
justification. Most people who face outpatient commitment, however, do not pose a danger to
themselves or others—at least not an imminent danger. Could it reasonably be argued that there
are insufficient grounds to violate these individuals’ autonomy by insisting they undergo
unwanted mental health treatment?
One counterargument to the autonomy-based critique of outpatient commitment is that the
affective, cognitive, and behavioral symptoms of serious mental illness already have limited the
autonomy of people who would be eligible for outpatient commitment—that their ability to make
reliable decisions in their own best interests already is impaired, preventing them from pursuing
important life goals. This counterargument suggests that outpatient commitment, rather than
undermining autonomy, may actually restore and promote autonomy in the long run—that is, if
commitment results in access to treatment that effectively addresses the symptoms that impair
reliable decision making. Court-ordered treatment can be the means to an end where the
committed individual “gets help,” experiences symptom relief, and thereby eventually regains a
measure of autonomy that was otherwise limited by untreated mental illness. This idea is
consistent with the ideals of “therapeutic jurisprudence” (Winick, 2003).
Whether an individual’s impairment in decision-making ability must rise to the level of current
legal incompetence (inability to weigh the risks and benefits of treatment and express a
voluntary, informed choice) is an interesting question. Some states require incompetence for
inpatient commitment; but inpatient commitment entails greater liberty restriction than outpatient
commitment. A finding of incompetence generally is required for medication over objection—
even for individuals who have been committed. But medications entail risks not associated with
most other outpatient services. Certainly an argument can be made that incompetency is not
necessary for outpatient commitment, generally, particularly given its relative unenforceability.
A second counterargument to the objection that outpatient commitment limits autonomy is that,
so often, the only alternative to outpatient commitment is involuntary hospitalization—if not
immediately, predictably in the near future. Insofar as receiving treatment in the community is
less restrictive than being confined to a hospital, and may enable the individual to avoid the
traumatic experience of repeated involuntary hospitalizations, outpatient commitment is arguably
the “less coercive” alternative over time.
Both of these counterarguments assume that the individual who is a candidate for outpatient
commitment has acute symptoms of mental illness at a point in timesymptoms that impair
functioning and decision-making capacity, though the person is not necessarily “imminently
dangerous” or legally incompetent. Yet psychiatrists understand that the symptoms of mental
illness tend to wax and wane over periods of months, and that many patients respond to
treatment (such as medication and psychosocial recovery support services) in a way that restores
theirbaseline” judgment and functioning. This means that a patient may become able to
participate in rational decision making in the short termfor example, following a hospital stay
or crisis interventionand then, within a period of weeks or months, fall out of treatment and
experience a return of symptoms that compromise his or her decision-making ability. Thus, the
goal of mandated outpatient treatment might be seen as use of a time-limited override of an
25
individual’s inauthentic treatment refusal in order to provide those services, of sufficient duration
to restore the individual’s ability to govern his or her own life with purpose and authority.
25
Both sides in this debate rely on competing empirical claims about the effectiveness (or non-
effectiveness) of outpatient commitment. The assertion that outpatient commitment promotes
long-term autonomy is undermined if the mandated treatment is experienced as so coercive that
it alienates the patient or prevents the formation of trust within the provider-patient relationship
that is considered essential for recovery.
Under some states’ statutory criteria, individuals with mental illnesses who do not have impaired
decision-making capacity may still qualify for outpatient commitment because they are deemed
to pose a safety threat to themselves—for example, if they have a history of dangerous behavior
associated with treatment noncompliance. In such cases, outpatient commitment might be
justified on the basis that the treatment it brings prevents harm (as in the example of inpatient
commitment). Autonomous persons may decide to harm themselves or others, but, for people
with active symptoms of a serious mental illness, the argument is that such decisions very often
are the product of their symptoms; in many cases, the harms experienced are entirely
unintentional, a result not of acts but of omissions. Interventions that restrict the liberty of people
with mental illnesses in order to prevent harm must carefully balance risks and rights.
26
Non-maleficence Could involuntary commitment cause harm? Most inpatient psychiatric
settings today are clean, safe, and therapeutic, a far cry from the kinds of institutions that existed
in many states in the 1960’s and early 1970’s, when the first restrictive commitment laws were
enacted. That said, seclusion and restraint continue to be used in inpatient commitment settings,
and the experience can be highly traumatic for some patients, especially those who have been
victims of sexual assault or other violence in the past (Zervakis et al., 2007). And, of course,
persons committed to inpatient facilities today experience the same “massive curtailment of
liberty” that the courts decried in the 1970’s, different from and far greater than the liberty
restrictions occasioned by mandated treatment in the community. Thus, the more restrictive
standards for inpatient commitment. So, the question becomes: whether the harms inevitably
suffered by the committed inpatient are outweighed by the harms staved off. Predictable risks to
the safety or well-being of the individual or others must be at stake, lest the harms facing the
individual render commitment unjustifiable. Once commitment is ordered, moreover, every
effort must be taken to minimize harm to the patient, including not only providing safe and
effective care but promoting the patient’s autonomy to the greatest extent possible and assuring
services in the least restrictive setting, with an eye toward release at the earliest opportunity.
25
In other words, outpatient commitment may facilitate access to and engagement in treatment and recovery support
services, enabling the individual to attain stability and more fully lead a self-directed life in the community,
unimpeded by the interruptions of the most serious mental illness symptoms.
26
A psychiatric advance directive (PAD) can help to preserve patient autonomy and promote self-determination
through periods of impaired decisional capacity. A thorough discussion of PADs is well beyond the scope of this
report. However, it is important to note briefly that the PAD is designed as a patient-centered legal instrument to
reduce the need for civil commitmentideally, to prevent involuntary mental health interventions altogetherby
enabling people with serious mental illnesses to plan ahead for their own treatment during a future incapacitating
crisis: to record their preferences in a legal document while they are competent, and to authorize a trusted family
member or friend to make decisions on their behalf should they lose capacity to make or communicate their own
treatment choices. Some research has shown that psychiatric patients with fluctuating decisional capacity, who are at
risk of coercive crisis intervention, can benefit from PADs. Completing these documents can promote personal
empowerment in the course of recovery and foster a better working alliance with providers. Unfortunately, however,
PADs have not been widely implemented (Swanson et al., 2007).
26
Anything less, again, raises question about the proper balance of harms and the propriety of
commitment.
Ethical critiques of outpatient commitment based on non-maleficencealso applicable to
inpatient commitment—focus on the inherent coerciveness of “forced treatment” and the
theoretical notion that removing choice makes recovery difficult or impossible. An early
example of this argument is seen in a statement from the Coalition to Stop Outpatient
Commitment in New York: “People recover when they have a choice among alternative
treatments and services, when they are empowered to make their own decisions and take
responsibility for their lives, and when they are offered hope. These conditions are impossible
under outpatient commitment” (Kramer 1999). Along the same lines, and more recently, a 2015
position statement of Mental Health America expressed concern that “outpatient commitment
risks transforming the mental health system into a vehicle of social control over many people
living in the community.” (MHA 2015)
To the contrary, proponents of outpatient civil commitment have argued that the intervention is
not about social control but, rather, is about the alleviation of suffering by people who, as a result
of their illness, are unwilling or unable to accept treatment on their own. A strict “rights”
argument against involuntary treatment in such cases may fall short, they contend, insofar as the
assumption of “voluntariness” is undermined by the fact that no rational person would choose the
suffering and risks that untreated mental illness entails. Allowing people to “rot with their rights
on,” as Paul Appelbaum and Thomas Gutheil once put it (echoing Darryl Treffert, in his 1973
letter), is inhumane—assuming, of course, that the treatments occasioned by commitment, even
if provided over objection, are effective and can prevent or mitigate such suffering (Appelbaum
and Gutheil 1979). E. Fuller Torrey makes the case in terms that are even more dire: “What kind
of civilization allows seriously mentally ill persons to be victimized—to live on the streets and
beneath bridges...? A civilization that allows such things cannot claim to be humane” (Torrey
2008).
Still, whether outpatient commitment is, in fact, “non-maleficent” is essentially an empirical
question, the answer to which requires an evaluation of the exercise in terms that are meaningful
to the people who are subjected to it. Several studies have examined the comparative preferences
of individuals enrolled in outpatient commitment programs. These have included a study of the
relative importance assigned to avoiding involuntary hospitalization versus avoiding outpatient
commitment, assuming these to be trade-offs (Swartz et al., 2003a); individuals’ perceptions of
the coerciveness and benefit of outpatient commitment, after having experienced it (Swartz et al.,
2003b); perceptions of the fairness and effectiveness of outpatient commitment (Swartz et al.,
2004); and measured improvements in subjective quality-of-life following outpatient
commitment (Swanson et al., 2003).
The overall result of these person-centered studies is that most individuals who were subjected to
outpatient commitment for at least six months reported that avoiding inpatient commitment was
more important than being free from the (comparatively mild) strictures of mandated community
treatment (Swartz et al., 2003a). The perception that outpatient commitment is “fair” (or not) was
significantly dependent on whether individuals believed that the programs they participated in
were generally effectivethat is, that the services they received helped them get better and stay
better (Swartz et al., 2004). Only about 1 in 4 people who experienced outpatient commitment
retrospectively endorsed their program as being personally beneficial; but the rate of
endorsement rose to approximately 50 percent in the subgroup who had good outcomes on
outpatient commitment—those who remained out of the hospital, were not arrested, and had a
27
relatively high final score at 12-months follow-up on the Global Assessment of Functioning
scale (Swartz et al., 2003b). Still, a significant percentage (indeed, the majority) regarded the
experience as unhelpful. Given that the services were unwanted, one might conclude that, from
the perspective of the individuals under commitment, the harms they suffered (having to engage
in unwanted services) outweighed the benefits they enjoyed.
The third study mentioned above (Swanson et al., 2003) showed that duration of outpatient
commitment (number of days under court-ordered treatment) was significantly correlated with
higher subjective qualify of life, when measured at 12-months follow-up. At the same time,
however, such duration was significantly associated with higher perceived coercion, which
(paradoxically) had a negative impact on quality of life. Importantly, though, in this study the
positive effect of outpatient commitment on increased quality of life was larger overallof
greater statistical significancethan the downside of its attendant coerciveness. This double
effect is analogous to a prescribed drug that produces some benefits through symptom relief, but
also has some predictable adverse side effects; the former must outweigh the latter in order for
the treatment to be considered worthwhile. This also illustrates how non-maleficence and
beneficence may be two sides of the same coin, and thus must be considered together.
Beneficence
Does civil commitment help people with disabling mental health disorders? Does commitment
promote what is “good” for others, and prevent harm? Determining the answers involves an
evaluation of whether commitment adequately advances the long term best interests of persons
with mental illness—improving their clinical condition and overall well-being and protecting
their safety (and the safety of others)—while also respecting their rights. Related to the principle
of respect for and right to autonomy, beneficence in civil commitment means balancing the value
of self-determination and choice with the social responsibility to care for persons who, at times,
have a diminished capacity to act in their own best interest.
So-called “benign medical paternalism” implicitly privileges beneficence over respect for
autonomy when these principles appear to conflict, based on the assumption that an expert
clinician “knows best” in decisions about mental health treatment. This view provides some
ethical justification for the use of legal leverage to effectuate the clinician's recommendation for
treatment—to override a patient’s refusal of, or non-adherence with treatment—when the
patient’s conflicting judgment is considered to be clouded or compromised by symptoms of an
illness.
Still, difficult tradeoffs present themselves in this arena. Overriding a person’s right to refuse
treatment and to be left aloneinvading their privacy with a mandated treatment order—should
never be taken lightly, even (and perhaps especially) when the person in question is vulnerable to
the loss of autonomy in the ways that a serious mental illness such as schizophrenia often entails.
At the same time, it is important to bear in mind that commitment, whether inpatient or
outpatient, can produce substantial benefits. As already mentioned, given the realities of fiscally
constrained public mental health systems in an era of managed care and a shrinking safety net,
commitment is being used to leverage scarce resources for treatment and other services,
including not only inpatient care but comprehensive outpatient care as well.
Appropriating civil commitment as a tool to leverage intensive services could be seen as a
misuse of the law, in a way that curtails a person’s liberty. This may not be the fairest way to
distribute limited resources, or to the impose the burdens of a legal mandate (from either the
patients’ or the provider’s point of view). However, the fact that commitment is being used as
28
leverage in this way—that such leverage is, in fact, being applied both to individuals under a
commitment order and to the providers of the services that are mandatedis a reality spawned
by an imperfect system of care. Unfortunate as it may be, it is a compromise that is acceptable to
many well-meaning actorsfor now, while they aspire to a more ideal care system in which the
need for coercion might “wither away.”
Individuals under outpatient commitment frequently are assigned to intensive case management
or assertive community treatment (an ACT team), and many receive priority for subsidized
housing—all services in short supply in most communities. If these services, in turn, lead to
improved recovery outcomes for consumers, as they have been shown to—reducing their
involvement in the criminal justice system, limiting their need for repeated and traumatic
involuntary hospitalizations, improving their ability to live productively in the community, and
ultimately promoting their exercise of autonomous decision-making in their own best interests
the values of beneficence would be well served, lending support to the case for commitment.
Still, if the problem is merely one of addressing removable barriers to treatment—that is,
providing access to services that the person would be willing and able to accept voluntarily, if
availablethere may be no ethical case for using an involuntary commitment order simply to
accomplish that goal.
Justice
Are inpatient and outpatient commitment programs just? Do they fairly distribute benefits,
burdens, and risks—to the individuals who need treatment (but may lose their autonomy), to the
stretched-thin providers who are accountable for the treatment they deliver (and the treatment
they withhold), and to the society that pays for these services in public systems of care (and that
bears the economic, social, and moral costs of untreated mental illness)?
As discussed above, most states’ inpatient commitment laws were written at a time when
commitment entailed lengthy stays in substandard facilities, with little meaningful care.
Balancing the risks and other burdens patients faced in those days, the laws established strict
standards and procedures for commitment. Today, in virtually every state, lengths of stay for
committed patients are (usually) brief, typically a week to 10 days, and the facilities that are used
are, by and large, clean, safe, and therapeutic. Inpatient commitment standards have softened in
recent years, but all still require a showing of substantial disabilityserious mental illness
resulting in a significant risk of harm (whether or not couched in terms of “imminent
dangerousness”). And the procedures in place, guaranteeing representation by counsel and
requiring the state to prove committability by clear and convincing evidence, are designed to
assure justice for participants. Given the improved quality of care today, the legal safeguards in
place in most states, and the very low risk of lengthy confinement, one would be hard pressed to
argue that the balance struck by these laws is unfair to consumers.
With respect to outpatient commitment and the question of justice, from a societal perspective,
when a small group of individuals who would refuse treatment are placed in commitment and
thus given priority for services—using scarce public resources, arguably to the detriment of other
people who actually want treatment and cannot get it—fairness and equity in the distribution of
these resources may be questioned (Swanson et al., 2010). On the other hand, it may not be
considered fair (or even humane) to allow a small group of very ill people to choose to forego
treatment, assuming their choice reflects a compromised understanding of risks and benefits and
could result not only in their own continued suffering but, potentially, in the suffering of others
as well. Moreover, underserved consumers in the community may present higher financial costs
29
for communities, insofar as these individuals tend to use more expensive publicly funded
services, cycling between homelessness, hospitalization, and, too often, the criminal justice
system.
Another factor that may raise fairness concerns is the large disparity between jurisdictions in the
likelihood that any given person with a serious mental illness will be committed. In Florida, for
example, public behavioral health clients with serious mental illnesses are about three times
more likely to have a lifetime record of (inpatient) commitment than their counterparts in
Connecticut (Swanson et al., 2013; 2016). Given that involuntary commitment involves an
unwanted deprivation of liberty—and that research shows patients can be traumatized by forced
treatment, in a way that negatively impacts their future experience even with voluntary mental
health care (Zervakis et al., 2007)—it appears to be clearly unjust that one’s chances of
experiencing or avoiding commitment could depend largely on what state one happens to live in.
There are also difficult questions about the equity of treatment in cases of apparent racial
disparity, such as the overrepresentation of African Americans among persons under outpatient
commitment in New York (Swanson et al 2009). For those who see involuntary treatment as an
unjustifiable form of coercion, reducing and minimizing involuntary treatment in a minority
population will be seen as an equitable improvement. For those who see involuntary treatment as
beneficial to its recipientsan avenue to accessing scarce resources—more involuntary
treatment provided to members of a historically deprived minority population might be
considered a proportional remedy, and thus equitable. Preferred alternative value frameworks,
such as liberalism and libertarianism versus egalitarianism or communitarianism, may guide
policymakers toward different conclusions, necessitating checks and balances in these laws and
policies and cultural sensitivity in their implementation.
This part of the report concludes with a set of specific goals for involuntary civil commitment
policy and practice. Table 2 lists these goals as they are aligned with, and could be derived from,
the ethical principles that we have discussed.
Table 2. Goals for commitment practice derived from general ethical principles
Respect
for
autonomy
Non-
maleficence
Beneficence Justice
Personal autonomy and self-agency are respected by listening carefully to
individuals who are subjected to commitment, and honoring their treatment
preferences to the extent possible, especially when their wishes are documented in
competently prepared legal advance directives.
x
x x
Involuntary commitment is never used solely to leverage access or transport to
treatment when a patient is otherwise able and willing to participate voluntarily in
services, and other means to overcome barriers to care are available.
x x
x
Dignity of the person is respected and protected in every step of the process. x
The individual in crisis is assisted to be in the least restrictive setting to resolve the
crisis, whether or not they are committed.
x
x
Person-centered approaches are individualized to a meet a person’s needs and
include shared decision-making that honors hope, trustworthiness, engagement,
and collaborative treatment.
x
x
Relevant information is clearly communicated to the patient about commitment
status, purpose, process, reevaluation, criteria for ending commitment, risks and
benefits of treatment, and legal issues, including right to appeal or refuse
treatment; information about commitment is shared with supportive family
members and significant others, consistent with the patient's rights and wishes.
x
x
Clinicians recognize and seek to carefully balance potential conflict between
beneficence and personal autonomy.
x
x
31
Table 2. (continued)
Respect
for
autonomy
Non-
maleficence
Beneficence Justice
Duration of commitment is as short as reasonably possible to restore the individual
to the capacity to participate meaningfully in beneficial treatment.
x x x
Due process protections are understood and employed at every level for the person.
x x x
Restrictive interventions such as seclusion and restraint are used as a last resort to
ensure safety, and explicit procedures are developed to minimize their use.
x
The assessment and commitment process allows for care transitions into less
restrictive levels of care and supports transitions into and out of settings.
x x
x
Trauma history is taken into consideration as part of a thorough assessment while
minimizing the risk of re-triggering trauma.
x x
Throughout and following the commitment process, the person’s individual
strengths are determined, recognized, and incorporated into treatment and recovery
support services.
x
Collateral information from family and others who have knowledge of the person
is collected and informs the outcome.
x
Clarity and purpose of commitment is carefully reviewed and considered including
what services are provided and the criteria for the commitment to be ended.
x
Persons involved in the commitment process are free of material conflict of
interest.
x
32
III. Practical Tools to Assist Policy Makers in Evaluating, Reforming, and Implementing
Involuntary Civil Commitment
Taking account of the competing interests at stake in civil commitment, and considering the
inherent ethical concerns, this final part of the report offers two practical tools to assist policy
makers and others responsible for reforming or implementing civil commitment laws or systems:
first, a list of ten general guidelines with which to align commitment policy and practice; and
second, a checklist of specific model requirements for inpatient and outpatient commitment
statutes.
III.A. Policy Guidelines for Involuntary Commitment
1. Civil commitment, whether inpatient or outpatient, should be reserved for those
reliably diagnosed with a serious mental illness for which there is available treatment
that is likely to be effective. Commitment’s purpose must be treatment, and need for
treatment is an essential requirement for commitment.
2. If the person is willing and able to engage with services voluntarily, he or she should
not be committed. In deciding whether to order commitment, courts should consider
the preferences of the person and the degree to which the person understands the
nature of his or her mental illness and the likely effect of treatment.
3. A person should not be subject to inpatient commitment unless, without a hospital-
level of care, the person will be at significant risk, in the foreseeable future, of
behaving in a way, actively or passively, that brings harm to the person or others.
Unless the serious mental illness for which treatment is needed places the person at
risk for harm, inpatient commitment should not be used. Risk for harm, however,
should not require risk of violent behavior. If an individual is at risk for injury,
illness, death, or other major loss solely due to mental illness symptoms such as an
inability to exercise self-control, judgment, and discretion in the conduct of his or her
daily activities, or to satisfy his or her need for nourishment, personal or medical care,
shelter, or self-protection and safety, he or she should be committable.
4. If a less restrictive alternative to inpatient commitment is available, including
outpatient commitment, inpatient commitment should not be ordered. If, with the help
of family, friends, or others who are available and willing to help, a person is capable
of remaining in the community without presenting risks associated with need for
treatment, he or she should not be subject to inpatient commitment.
5. A person should not be subject to outpatient commitment unless (i) he or she meets
the standard for inpatient commitment, but may be served in a less restrictive setting,
or (ii) without the treatment proposed, and other supports the court might order, it is
reasonably predictable that the person will experience further disability or
deterioration to a degree that, in the foreseeable future, the person will meet the
inpatient commitment standard. Because commitment under this second prong (i.e.,
on grounds of further disability or deterioration) addresses risks of harm that are less
immediate, respect for personal autonomy may require an additional finding of
impairment in the person’s understanding of the nature of his or her mental illness
and the treatment proposed, including the potential risks and benefits of such
treatment and the expectable consequences if commitment is or is not ordered. Full
legal incompetency, however, should not be required.
33
6. Legal proceedings should accord due process protection, including prompt notice of
rights, assignment of counsel, and an opportunity to challenge commitment before a
judge or other judicial authority without unreasonable delay.
7. Commitment practices should respect the privacy and dignity of the individual. Every
effort should be made to minimize trauma. If law enforcement agencies are
responsible for transporting individuals proposed for or under order of commitment,
they should assign plainclothes officers in unmarked cars, whenever possible.
Shackles and other restraints should be used only if necessary, never as a matter of
routine.
8. Unless already incarcerated for a criminal offense, or facing criminal charges, no
candidate for commitment should be detained in a jail or other correctional facility
pending commitment, and no person who has been committed should be placed in a
correctional facility for treatment services.
9. Jail and prison authorities, when planning for the release (re-entry) of an inmate with
a serious mental illness, should consider whether to initiate commitment proceedings
(inpatient or outpatient), depending on the inmate’s needs and the likelihood that the
inmate will cooperate with treatment once released. Such authorities likewise should
be attentive to the needs of inmates while incarcerated and, when faced with an
inmate whose needs cannot be met in the institution, should take whatever steps are
provided by law for the inmate’s transfer or commitment to a more therapeutic
setting.
10. Civil commitment should never be used solely for preventive detention or community
control. Treatment staff should have the authority to terminate commitment without
the court’s authorization and should terminate commitment as soon as the individual
progresses to the point where he or she no longer meets commitment criteria. No
court should insist that a hospital or other treatment provider retain an individual in
services at a level of care that the hospital or provider believes is unnecessary. Before
terminating an individual’s commitment, treatment staff should arrange appropriate
services and supports for the individual in the community.
34
III.B. Requirements for Civil Commitment: A Checklist for Policy Makers and Practitioners
All Civil Commitments (Inpatient or Outpatient)
The individual is reliably diagnosed with a serious mental illness.
Treatment for the individual’s mental illness is available.
The treatment that is available is likely to be effective.
A reasonable effort has been made to help the individual understand the nature of his
or her mental illness and the treatment proposed, including the potential risks and
benefits of such treatment and the expectable consequences if he or she is or is not
committed.
The individual refuses the treatment or is unable to provide valid consent.
If the individual is committed, treatment staff have the authority to terminate the
commitment without the court’s authorization and understand their responsibility to
terminate commitment when the individual no longer meets commitment criteria.
Inpatient Commitments
Without commitment, and as a result of the serious mental illness diagnosed, the
individual will be at significant risk, in the foreseeable future, of behaving in a way,
actively or passively (i.e., by acts or omissions), that brings harm to the person or
others; harm to the person may include injury, illness, death, or other major loss due
to an inability to exercise self-control, judgment, and discretion in the conduct of his
or her daily activities, or to satisfy his or her need for nourishment, personal or
medical care, shelter, or self-protection and safety.
There are no suitable less restrictive alternatives to inpatient commitment, including
outpatient commitment.
Outpatient Commitments
Without the treatment and other supports that would be available as a consequence of
an outpatient commitment order, it is reasonably predictable, given the individual’s
psychiatric history, that the individual, as a result of the serious mental illness
diagnosed, will experience further disability or deterioration to a degree that, in the
foreseeable future, the individual will meet the requirements for inpatient
commitment described above.
The respondent is capable of surviving safely in the community with available
supervision from family, friends, or others.
The individual’s understanding of the nature of his or her mental illness and the
treatment proposed, including the potential risks and benefits of such treatment and
the expectable consequences if he or she is or is not committed, is impeded to a
significant degree by the symptoms of a serious mental illness or other mental
disability, limiting or negating the individual’s ability to make an informed decision
whether to accept or comply with recommended treatment.
35
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